Allow adding a legal number for invoices
Legal Invoice Number
Integrate online payment with ZaloPay
ZaloPay Payment Provider
Bridge module between Contacts Access Rights and Account
Contacts Access Rights - Accounting
Allows the application of the Specific Identification Costing method for manufactured products, ensuring accurate valuation and effective traceability
Stock Specific Identification & Manufacturing
Intergrating MoMo Payment Acquirer with Viindoo software.
MoMo Payment Provider
Allow the allocation of costs to inventory for products configured with automatic inventory valuation and specific identification costing.
Specific Identification Costing & Landed Costs
Link existing journal entries to Loan Contracts.
Loan - Link journal entries
Add specific identification costing method to inventory valuation
Specific Identification Costing
Automatically adjust inventory valuation for products using the specific identification costing method when discrepancies arise compared to purchase invoice prices.
Stock Specific Identification & Purchase Stock
Add Counterpart Account into Tax form for VAT
VAT Counterpart Account
Record details of payment lines and their countered account
Payment with Payment Lines
Base module for Purchase customization
Purchase Customization
Prevent accidental or intentional deletion of payment transactions
Payment Transaction - Deletion Restriction
The bridge module between Account Counterpart and Account Reconciliation
Account Counterpart - Account Reconciliation
Provide options to issue an e-invoice on a detailed or aggregated form
Vietnam Electronic Invoice Summary
When updating the tax grid for existing journal entries, recomputing the counterpart data is not necessary.
Account - Allow updating tax grids - Without Counterpart Update
Automatic currency rates update by xe.com
Automatic Currency Rates Update by xe.com
Automatically update the currency rates by VietcomBank
Automatic Currency Rates Update VietcomBank
Automatic currency rates update by ACB bank
Automatic Currency Rates Update by ACB bank
Periodically automatically create accounting entries to transfer or allocate part or all of the balances of one or more accounts
Account Automatic Transfer